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基金业绩

基金费率

投资组合

基金概况

财务数据

中银金融地产混合A(004871)

2025-05-22     1.5179-0.0987%
资产配置
单位:万元
报告期 基金净值 股票 国债及现金 可转债 企业债 金融债 其他债券 其他投资 贷方余额
2025-03-3115,189.0413,637.321,377.680.000.000.000.00306.560.00
2024-12-3113,702.5612,440.391,201.170.000.000.000.00198.530.00
2024-09-3017,012.6115,168.321,582.15228.660.000.000.00432.740.00
2024-06-3016,800.6715,159.951,469.5357.190.000.000.00283.460.00
2024-03-3119,995.4318,591.521,397.360.000.0081.670.00671.680.00
2023-12-3117,510.2816,283.391,424.268.770.0081.410.0017.680.00
2023-09-3019,069.3317,464.401,376.060.000.0080.910.00229.530.00
2023-06-3017,800.8616,465.031,438.410.000.000.000.00117.390.00
2023-03-3119,232.0917,968.031,527.090.000.000.000.00343.130.00
2022-12-3120,893.0018,801.902,530.600.000.000.000.00347.220.00
2022-09-3026,905.0024,372.761,881.6457.500.000.000.00745.750.00
2022-06-3033,713.6630,354.562,829.78629.080.000.000.00281.590.00
2022-03-3136,684.5034,042.542,422.940.000.00173.070.00390.070.00
2021-12-3145,189.9942,374.312,842.700.000.00167.320.0062.490.00
2021-09-3067,054.2159,661.135,913.75830.610.00167.950.00755.630.00
2021-06-3078,175.7569,409.525,055.633,109.960.00797.360.00521.190.00
2021-03-3197,840.7388,060.387,675.501,002.380.001,619.660.00210.180.00
2020-12-3199,507.4985,497.958,837.6947.460.00599.550.008,397.260.00
2020-09-3065,528.8259,649.715,068.8447.600.0033.030.001,162.790.00
2020-06-3022,842.9320,557.05763.30183.810.001,292.240.00174.960.00
2020-03-3121,879.1119,659.30560.3816.090.001,639.040.00211.710.00
2019-12-3136,762.7733,242.49411.02548.500.001,907.710.00918.360.00
2019-09-3025,505.6922,559.771,253.243.900.001,444.890.00341.490.00
2019-06-3011,000.029,900.36719.070.000.00403.240.0069.940.00
2019-03-317,399.296,599.46569.9830.220.00405.020.0069.240.00